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Accountant job in Houston

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Houston, Texas - TX Belmont Village

Job Ref:  1519
Employer:  Belmont Village

Location

State:  Texas - TX
City:  Houston
Post Code:  77063
Map: 
United States, Texas - TX, Houston (Show on map)

Description

WHAT ARE THE DETAILS?

Love What You Do, Feel Valued , Grow & Thrive. Belmont Village communities are known across the nation for our high standard of operating, exceptional care, long tenured teams, innovative and award winning memory enrichment programming, and supportive employee culture.Belmont Village Senior Living employees have helped the company achieve theGREAT PLACE TO WORK® award, resulting in being named one of FORTUNE's Top 50 Best Workplaces in Aging Services for two consecutive years.Join our dedicated team and use your passion to make Belmont Village a Great Place to Work and Live!

WHAT ARE THE QUALIFICATIONS?

MINIMUM QUALIFICATIONS
  • Bachelors Degree in Accounting with minimum of five years related accounting experience
  • High accuracy and detail oriented
  • Ability to perform duties in a fast-paced environment and meet deadlines
  • Flexible and able to manage changing priorities
  • Self motivated and able to handle projects with limited direction
PREFERRED QUALIFICATIONS
  • CPA certification
  • Computer proficiency with Timberline accounting system 
DISCLAIMER
The information contained herein is not intended to be an all-inclusive list of the duties and responsibilities of the job, nor are they intended to be an all-inclusive list of the skills and abilities required to do the job.

WHAT CAN I EXPECT?

This position  is responsible for performing duties related to the accounting functions for over 30 operating Assisted Living communities in multiple states. This position is based at the Belmont Village Senior Living Corporate office in Houston, TX. 
 
KEY RESPONSIBILITIES
  • Prepare and distribute monthly financial statements and other management reports for each operating community along with reporting packages to joint venture partners.
  • Maintain the general ledger for each operating community including the monthly review and closing.
  • Review of invoices for each operating community.
  • Prepare intercompany reconciliations and settlement of amounts monthly.
  • Complete monthly and quarterly account reconciliations on a timely basis
  • Assist with internal (SOX) and external audits.
  • Assist with personal property tax returns
  • Other general accounting functions.
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